SILVER PANIC: Why $100 Could Hit By Friday (After The Whipsaw)
Автор: Intelligent Investor
Загружено: 2026-02-04
Просмотров: 0
Описание:
Silver just snapped back after a historic whipsaw, and the rebound is forcing one question back onto the table: could we see triple-digit silver again by Friday? In this episode, we break down what moved the market, what could keep momentum alive, and what risks traders keep underestimating.
What you’ll learn in this video:
What triggered the sharp drop and why the rebound happened so fast
Why the U.S. dollar and real yields can change the next move
How leverage and margin pressure can amplify volatility in silver
What to watch next for confirmation vs. a trap
How physical-market dynamics can differ from paper price action
Key topics covered:
Silver rebound mechanics and volatility regime
Macro drivers: dollar index, real yields, risk sentiment
Event risk: CPI, FOMC, jobs data, headline shocks
Futures positioning, margin dynamics, and forced selling
Physical premiums, retail liquidity, and dealer spreads
Risk management frameworks for fast-moving markets
Bonus links are in the description, including a Premium WhatsApp Channel link and a Channel Membership join link. Members also get access to Members-Only videos produced by a separate research team—available only to premium members.
Data context: We reference major macro releases and market signals such as CPI, FOMC communication, jobs data, real yields, and broad market risk flows to frame why metals can move this aggressively.
Disclaimer: This content is for educational purposes only and is not financial advice. Do your own research and consider speaking with a licensed professional before making investment decisions.
If you found this helpful, please like, subscribe, and share. And comment below: do you think silver holds this rebound—or do we get another shakeout before the next leg?
Timestamps:
00:00 Intro
00:42 What just happened in silver
02:05 Why the rebound matters
04:10 The real driver: volatility + forced selling mechanics
06:25 Dollar and real yields: the macro lever
08:15 The “$100 by Friday” scenario (what would need to happen)
10:05 The bearish scenario (what could break the rebound)
12:10 Physical vs paper: why prices can feel “disconnected”
14:05 What I’m watching next (signals that confirm vs trap)
#PreciousMetals #MarketUpdate #Investing #Trading #MacroEconomics #FederalReserve #FOMC #CPI #Inflation #DollarIndex #RealYields #SafeHaven
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